COG Comprehensive Annual Financial Report
Schedule 37
Street Improvement Bond Fund - Series 2003, 2006 and 2008 Schedule of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual From Project Inception and For the Fiscal Year Ended June 30, 2018
Actual Current Year
Total To Date
Project
Prior Years
Authorization
Revenues: Intergovernmental: State Grant
$
$ 3,019,600
$ 2,140,970
$ 2,140,970
Miscellaneous: Donations and Private Contributions Construction Project Developers Share
82,000 19,294
43,342 40,792 84,000 11,791
43,342 40,792 744,780 11,791
Reimbursements Other Revenue
660,780
Total Revenues
3,120,894
2,320,895
660,780
2,981,675
Expenditures: Capital Improvements: General Government: Fiber Optic Project
1,630,000
1,630,000
1,630,000
Transportation: Transportation Projects Administration Resurfacing and Signal Replacement
72,318
2,208,920 6,683,844 35,962,606 6,919,559 16,446,155 1,510,800
2,167,548 6,683,844 35,863,314 6,798,011 16,396,600 1,152,581
2,239,866 6,683,844 35,866,073 6,804,843 17,453,162 1,152,581
Roadway Improvements
2,759 6,832 1,056,562
Sidewalk and Bikeways Projects
Streetscape Projects
Bikeway and Park Connectors
Total Expenditures
71,361,884
70,691,898
1,138,471
71,830,369
Excess of Revenues Under Expenditures
(68,240,990)
(68,371,003)
(477,691)
(68,848,694)
Other Financing Sources (Uses): Debt Issuances: General Obligation Bonds Issued
71,750,000 1,428,711 2,014,300 (6,344,317)
71,750,000 1,428,711 2,014,300 (6,952,021)
71,750,000 1,428,711 2,014,300 (6,269,423)
Premium on Debt
Transfers In Transfers Out
(74,894)
68,848,694
(74,894)
Total Other Financing Sources (Uses)
68,240,990
68,923,588
Excess of Revenues and Other Financing Sources Over (Under) Expenditures and Other Financing (Uses)
(552,585)
$
552,585
552,585
Fund Balance - July 1
$
$
Fund Balance - June 30
$
552,585
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